000 | 01041nam a2200205Ia 4500 | ||
---|---|---|---|
008 | 140223b2010 xxu||||| |||| 00| 0 eng d | ||
020 |
_a9780558160289 _c0.00 |
||
082 |
_a658.403 _bCFA |
||
245 | _aDerivatives and Portfolio Management: Program Curriculum Level 2 Vol. - 6 | ||
260 |
_aBoston _bPearson Custom Publishing _c2010 |
||
300 | _a586p | ||
500 | _av. 1. Ethical and professional standards, quantitative methods, and economics v. 2. Financial reporting and analysis v. 3. Corporate finance v. 4. Asset valuation and equity v. 5. Alternative asset valuation and fixed income v. 6. Derivatives and portfolio management. | ||
600 | _aInvestment | ||
600 | _aInvestment Advisors | ||
600 | _aInvestments -- United States -- Examinations -- Study Guides | ||
600 | _aPortfolio Management | ||
600 | _aSecurities | ||
890 | _aUK | ||
995 |
_ACFA _D0.00 _E0 _F049 _H0 _I0.00 _JGratis by Abhishek Mandhania (MBA - FT 2009-11) _UC _W20130827 _XGratis _ZReference |
||
999 |
_c80676 _d80676 |